
ResMed Inc.
ResMed Inc. (RMD) Cash on Hand — Cash & Short-Term Investments
Cash & cash equivalents plus short-term investments from the balance sheet, YoY change, and net cash vs debt context.
RMD · cash on hand · updated Jun 30, 2025
Core cash position
as of Jun 30, 2025Cash on Hand = Cash & Cash Equivalents (CCE) + Short-Term Investments, as reported on the balance sheet (10-K/10-Q). Also referred to as cash reserves or cash position. Not free cash flow.
Source: FMP /balance-sheet-statement · SEC 10-K / 10-Q · Reported in USD
Net cash vs debt
Cash vs Debt · Balance Sheet HealthResMed Inc. has a net cash position of $357.6M, holding more cash than debt.
Cash on hand history
Annual cash on hand by year
RMD cash & short-term investments historyHealthcare Sector Cash Reserves Comparison
About cash on hand & methodology
ResMed Inc. (RMD) cash on hand as of June 30, 2025 is $1.21B, comprising $1.21B in cash and cash equivalents (CCE) plus $0 in short-term investments — reported as ResMed Inc. cash and short-term investments on the balance sheet (10-K filing). Also referred to as ResMed Inc. cash reserves or cash position.
ResMed Inc. annual cash on hand history shows increased +407.4% in 2025: increased +407.4% in 2025. ResMed Inc. cash reserves in 2025 reflect the company's capital allocation strategy.
ResMed Inc. carries total debt of $851.8M against cash of $1.21B, resulting in a net cash position of +$357.6M. For the full balance sheet, see the Financials → Balance Sheet tab.
Frequently asked questions
RMD cash on hand · 5 questionsAs of June 30, 2025, ResMed Inc. (RMD) has $1.21B in cash on hand — defined as cash and short-term investments on the balance sheet. This includes $1.21B in cash and cash equivalents (CCE) plus $0 in short-term investments. Latest quarter (March 31, 2026): $1.66B. Data sourced from the annual 10-K filing via FMP.
▸ Source: FMP /balance-sheet-statement · US GAAP · ResMed Inc. · ResMed Inc. SEC 10-K & 10-Q filings · US GAAP · Last updated: June 30, 2025